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Financial Reporting Manager

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  • Posted 3 days ago
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Job Description

About the Role

We are seeking a technically strong Finance Manager who is, above all, a finance generalist — comfortable owning everything from transaction-level accounting to financial statement finalisation, and equally invested in improving the processes underneath. The ideal candidate has hands-on knowledge of Ind AS, experience in consolidation, and a strong grip on audits and fixed asset management, with the ability to run a disciplined close across multiple entities.

Key Responsibilities

  • Own and finalise the balance sheet, P&L, and cash flow statements in compliance with Ind AS
  • Drive balance sheet schedules, reconciliations, and deep-dive analysis to ensure accuracy and completeness
  • Lead monthly, quarterly, and annual close cycles with strong control over provisions, accruals, prepayments, and depreciation
  • Manage group-level consolidation, including elimination entries and inter-company reconciliations
  • Handle Fixed Asset Register (FAR) — capitalization, asset tracking, depreciation, and periodic reconciliation
  • Support and lead statutory, internal, and tax audits, including preparation of audit schedules and resolution of audit queries
  • Ensure compliance with Ind AS reporting requirements, including preparation and review of financial statements and disclosures
  • Operate as a finance generalist across AP, treasury, taxation, compliance, and reporting
  • Drive process improvements and standardisation, especially around closing, reconciliations, and reporting workflows
  • Ensure compliance with GST, TDS, Income Tax, PF/ESI, and Companies Act filings
  • Develop MIS, variance analysis, and management reporting for leadership

Requirements

  • CA (qualified)/MBA in Finance is preferred
  • 2–4 years of experience in core finance, with demonstrated ownership of the close cycle
  • Strong working knowledge of Ind AS, including financial statement preparation
  • Proven experience in balance sheet finalisation, consolidation, and audit handling
  • Hands-on experience in managing Fixed Asset Registers (FAR) and depreciation accounting
  • Exposure to big audit firms or handling complex audit environments is a strong advantage
  • A true generalist profile with broad exposure across accounting, taxation, compliance, and reporting
  • Demonstrated track record of driving process improvements and building scalable workflows
  • In-depth understanding of GST, TDS, and statutory compliance
  • Advanced Excel and ERP proficiency (Zoho Books, Tally, or similar)
  • Strong analytical and stakeholder-management skills; able to meet tight deadlines

Preferred Skills

  • Experience in hospitality, real estate, co-living, or high-growth startups
  • Exposure to multi-entity consolidation and group reporting structures
  • Experience working with or alongside Big 4 / reputed audit firms
  • A continuous-improvement mindset — always looking to simplify, automate, and scale

More Info

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About Company

Job ID: 152591567

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